加拿大市场个股详情

OTEX Open Text Corp

添加自选
  • 42.590
  • +0.640+1.53%
延时15分钟行情交易中 11/13 11:24 (美东)
113.24亿总市值18.20市盈率TTM

Open Text Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
资产
流动资产
现金及现金等价物和短期投资
8.74%10亿
3.98%12.81亿
3.98%12.81亿
-19.44%11.25亿
-64.44%10.03亿
-46.03%9.2亿
-27.28%12.32亿
-27.28%12.32亿
-14.50%13.97亿
86.59%28.21亿
-现金和现金等价物
8.74%10亿
3.98%12.81亿
3.98%12.81亿
-19.44%11.25亿
-64.44%10.03亿
-46.03%9.2亿
-27.28%12.32亿
-27.28%12.32亿
-14.50%13.97亿
86.59%28.21亿
应收款项
-7.98%7.59亿
-8.29%7.54亿
-8.29%7.54亿
-6.50%7.34亿
60.71%8.14亿
98.97%8.25亿
74.47%8.22亿
74.47%8.22亿
64.96%7.85亿
7.99%5.07亿
-应收账款
-12.41%5.93亿
-8.25%6.26亿
-8.25%6.26亿
-3.27%6.54亿
56.19%7.35亿
78.93%6.77亿
59.97%6.83亿
59.97%6.83亿
57.32%6.76亿
10.25%4.71亿
-应收税费
37.70%9,663.3万
-10.34%6,111.3万
-10.34%6,111.3万
-70.46%1,411.9万
-19.01%834.2万
692.45%7,017.9万
273.38%6,816.1万
273.38%6,816.1万
130.03%4,780.3万
-48.12%1,030万
-其他应收款
-10.64%7,020.3万
-6.67%6,645万
-6.67%6,645万
7.74%6,612.4万
175.86%7,065.6万
182.58%7,856.2万
172.08%7,119.6万
172.08%7,119.6万
140.86%6,137.4万
14.67%2,561.3万
预付费用
-55.55%195.6万
58.03%414.2万
58.03%414.2万
33.28%380.9万
63.14%425.3万
162.84%440万
-58.40%262.1万
-58.40%262.1万
-53.16%285.8万
-55.35%260.7万
递延资产
20.66%4,346.2万
12.33%4,457.7万
12.33%4,457.7万
8.69%4,227.9万
28.89%3,792.2万
33.87%3,602万
46.56%3,968.5万
46.56%3,968.5万
54.47%3,889.8万
26.69%2,942.1万
套期保值资产
-6.34%87.2万
-40.03%212.7万
-40.03%212.7万
--81.5万
-46.74%364.7万
--93.1万
--354.7万
--354.7万
----
--684.8万
持有待售资产
----
----
----
--21.2亿
--20.51亿
----
----
----
----
----
其他流动资产
9.82%1.74亿
9.20%1.92亿
9.20%1.92亿
-20.85%1.65亿
83.73%1.7亿
64.68%1.59亿
101.75%1.76亿
101.75%1.76亿
128.73%2.09亿
3.36%9,229.6万
流动资产合计
1.80%19.8亿
0.09%22.77亿
0.09%22.77亿
72.32%41.92亿
18.08%40.84亿
-13.32%19.45亿
-0.44%22.75亿
-0.44%22.75亿
8.98%24.33亿
64.76%34.59亿
非流动资产
固定资产净额
-6.80%5.85亿
-8.58%5.88亿
-8.58%5.88亿
-9.85%5.75亿
34.28%5.98亿
38.70%6.28亿
45.11%6.43亿
45.11%6.43亿
43.26%6.38亿
-6.26%4.45亿
-固定资产
3.17%13.53亿
2.25%13.39亿
2.25%13.39亿
1.65%13.05亿
22.37%13.1亿
24.88%13.12亿
27.00%13.09亿
27.00%13.09亿
25.57%12.83亿
-2.39%10.7亿
-累计折旧
-12.33%-7.68亿
-12.70%-7.51亿
-12.70%-7.51亿
-13.04%-7.29亿
-13.88%-7.12亿
-14.42%-6.84亿
-13.35%-6.67亿
-13.35%-6.67亿
-11.90%-6.45亿
-0.56%-6.25亿
投资和预付款
-5.21%1.67亿
-12.31%1.65亿
-12.31%1.65亿
-17.14%1.65亿
2.42%1.68亿
5.76%1.76亿
8.44%1.88亿
8.44%1.88亿
12.47%1.99亿
10.34%1.64亿
-长期股权投资
-9.45%1.24亿
-16.09%1.24亿
-16.09%1.24亿
-22.18%1.24亿
-22.47%1.27亿
-17.67%1.37亿
-14.57%1.48亿
-14.57%1.48亿
-9.77%1.6亿
10.34%1.64亿
-金融资产投资
9.67%4,282.5万
1.71%4,054.1万
1.71%4,054.1万
3.31%4,061.5万
--4,087.7万
--3,904.8万
--3,985.8万
--3,985.8万
--3,931.3万
----
-其中:可供出售证券
9.67%4,282.5万
1.71%4,054.1万
1.71%4,054.1万
3.31%4,061.5万
--4,087.7万
--3,904.8万
--3,985.8万
--3,985.8万
--3,931.3万
----
长期应收款
-35.16%9,638.6万
-14.81%1.35亿
-14.81%1.35亿
-9.72%1.38亿
112.94%1.4亿
128.58%1.49亿
149.08%1.59亿
149.08%1.59亿
140.86%1.53亿
2.09%6,569.4万
长期预付费用
24.79%2,291.7万
-1.74%2,006.3万
-1.74%2,006.3万
-12.15%1,903.1万
96.72%1,946.3万
73.41%1,836.4万
215.97%2,041.8万
215.97%2,041.8万
198.21%2,166.2万
24.64%989.4万
商誉及其他无形资产
-21.16%98.61亿
-21.73%99.75亿
-21.73%99.75亿
-21.73%101.52亿
69.19%103.78亿
101.68%125.07亿
101.64%127.43亿
101.64%127.43亿
101.20%129.7亿
-6.35%61.34亿
-商誉
-12.95%75.03亿
-13.56%74.88亿
-13.56%74.88亿
-13.95%75.28亿
44.84%76.04亿
64.90%86.19亿
65.17%86.63亿
65.17%86.63亿
66.16%87.49亿
1.06%52.5亿
-其他无形资产
-39.36%23.58亿
-39.08%24.86亿
-39.08%24.86亿
-37.84%26.24亿
213.80%27.73亿
298.96%38.88亿
279.54%40.81亿
279.54%40.81亿
257.40%42.22亿
-34.78%8.84亿
非流动递延资产
-3.53%10.21亿
1.35%9.98亿
1.35%9.98亿
15.19%10.88亿
7.52%9.89亿
15.86%10.59亿
13.70%9.84亿
13.70%9.84亿
22.47%9.44亿
15.11%9.2亿
其他非流动资产
-36.51%4,579.1万
-36.51%4,859.8万
-36.51%4,859.8万
-7.51%6,279.1万
228.44%6,701.1万
213.64%7,212.2万
250.55%7,654.6万
250.55%7,654.6万
249.20%6,789.1万
3.42%2,040.3万
非流动资产合计
-19.23%117.99亿
-19.48%119.28亿
-19.48%119.28亿
-18.64%122亿
59.28%123.59亿
86.50%146.09亿
87.67%148.14亿
87.67%148.14亿
89.08%149.95亿
-3.79%77.59亿
总资产
-16.76%137.79亿
-16.87%142.06亿
-16.87%142.06亿
-5.94%163.93亿
46.58%164.43亿
64.27%165.54亿
67.89%170.89亿
67.89%170.89亿
71.49%174.28亿
10.37%112.18亿
负债
流动负债
短期借款与资本租赁负债
-52.95%1.11亿
-72.76%1.12亿
-72.76%1.12亿
-78.50%1.27亿
94.32%1.33亿
242.57%2.36亿
521.08%4.12亿
521.08%4.12亿
752.63%5.9亿
-6.32%6,829.9万
-短期借款
-75.42%3,585万
-88.83%3,585万
-88.83%3,585万
-90.75%4,585万
358.50%4,585万
1,358.50%1.46亿
3,108.50%3.21亿
3,108.50%3.21亿
4,858.50%4.96亿
0.00%1,000万
-短期资本租赁负债
-16.71%7,531.2万
-16.38%7,644.6万
-16.38%7,644.6万
-13.89%8,096万
49.00%8,686.8万
53.33%9,041.8万
62.16%9,142.5万
62.16%9,142.5万
58.86%9,401.5万
-7.33%5,829.9万
应付款项
-29.90%2.2亿
45.12%4.09亿
45.12%4.09亿
-9.83%3.45亿
56.32%2.93亿
90.20%3.14亿
67.28%2.82亿
67.28%2.82亿
296.55%3.82亿
131.50%1.88亿
-应付账款
-18.02%1.14亿
-7.08%1.51亿
-7.08%1.51亿
-5.76%1.69亿
50.22%1.44亿
36.35%1.38亿
42.76%1.63亿
42.76%1.63亿
106.10%1.8亿
51.62%9,600.7万
-应付税费
-51.14%7,494.8万
163.91%2.36亿
163.91%2.36亿
-23.89%1.51亿
36.38%1.19亿
161.36%1.53亿
74.86%8,929.7万
74.86%8,929.7万
2,550.96%1.98亿
439.79%8,754.9万
-其他应付款
44.08%3,143.5万
-25.22%2,248.9万
-25.22%2,248.9万
473.29%2,440.5万
643.89%2,952.5万
366.30%2,181.8万
737.92%3,007.3万
737.92%3,007.3万
148.08%425.7万
170.74%396.9万
应计费用
-7.56%5.02亿
-7.28%5.9亿
-7.28%5.9亿
-12.39%5.23亿
96.05%5.61亿
105.04%5.43亿
95.01%6.36亿
95.01%6.36亿
91.23%5.97亿
-3.67%2.86亿
现行拨备
17.09%694.2万
38.17%817.3万
38.17%817.3万
9.21%513.4万
122.72%672.4万
247.33%592.9万
54.88%591.5万
54.88%591.5万
49.14%470.1万
4.46%301.9万
递延负债
-9.14%14.5亿
-11.64%15.21亿
-11.64%15.21亿
-11.29%15.84亿
64.61%15.35亿
78.20%15.96亿
90.84%17.22亿
90.84%17.22亿
90.57%17.85亿
9.86%9.33亿
其他流动负债
64.70%2.09亿
-1.21%1.59亿
-1.21%1.59亿
224.74%4.04亿
2,475.98%4.3亿
-29.93%1.27亿
17,970.74%1.61亿
17,970.74%1.61亿
--1.24亿
--1,670.2万
流动负债总额
-11.43%25亿
-13.02%28亿
-13.02%28亿
-14.23%29.88亿
98.01%29.59亿
78.89%28.22亿
119.28%32.2亿
119.28%32.2亿
145.71%34.84亿
14.71%14.94亿
非流动负债
长期借款与租赁负债
-25.44%65.67亿
-25.57%65.75亿
-25.57%65.75亿
-3.62%85.31亿
61.86%87.11亿
99.90%88.07亿
100.39%88.34亿
100.39%88.34亿
100.54%88.51亿
21.59%53.82亿
-长期借款
-25.73%63.53亿
-25.75%63.57亿
-25.75%63.57亿
-3.03%83.06亿
63.19%84.75亿
103.27%85.55亿
103.40%85.62亿
103.40%85.62亿
103.42%85.65亿
23.31%51.93亿
-长期租赁负债
-15.53%2.13亿
-19.66%2.18亿
-19.66%2.18亿
-21.34%2.25亿
25.25%2.36亿
28.02%2.53亿
36.68%2.72亿
36.68%2.72亿
40.83%2.86亿
-12.11%1.89亿
长期应付账款及其他应付款项
-31.39%1.08亿
-23.37%1.55亿
-23.37%1.55亿
-17.29%1.64亿
259.51%1.63亿
228.58%1.57亿
410.47%2.03亿
410.47%2.03亿
416.40%1.98亿
20.98%4,533.2万
长期应计费用
-23.05%1,295万
-13.29%1,539万
-13.29%1,539万
-50.67%1,559.6万
1,381.83%1,801.9万
3,161.43%1,682.9万
3,052.58%1,774.9万
3,052.58%1,774.9万
4,423.18%3,161.7万
60.00%121.6万
长期拨备
-1.69%2,356.4万
-15.50%2,141.1万
-15.50%2,141.1万
-2.06%2,329.4万
81.72%2,368.7万
73.70%2,397万
112.15%2,533.7万
112.15%2,533.7万
86.07%2,378.4万
5.94%1,303.5万
员工福利
6.41%1.34亿
0.75%1.27亿
0.75%1.27亿
14.97%1.29亿
125.35%1.29亿
136.11%1.26亿
107.24%1.26亿
107.24%1.26亿
46.89%1.12亿
-23.59%5,734.9万
递延负债
-49.19%2.98亿
-51.53%3.11亿
-51.53%3.11亿
-31.80%4.12亿
294.97%4.09亿
357.80%5.87亿
308.66%6.42亿
308.66%6.42亿
310.65%6.03亿
-42.49%1.03亿
非流动负债总额
-26.50%71.43亿
-26.83%72.06亿
-26.83%72.06亿
-5.56%92.74亿
68.74%94.54亿
109.01%97.18亿
110.49%98.47亿
110.49%98.47亿
109.44%98.2亿
18.40%56.02亿
负债总额
-23.10%96.42亿
-23.43%100.06亿
-23.43%100.06亿
-7.83%122.62亿
74.91%124.13亿
101.38%125.4亿
112.59%130.67亿
112.59%130.67亿
117.86%133.04亿
17.60%70.97亿
所有者权益
股本
3.31%22.9亿
4.36%22.72亿
4.36%22.72亿
6.87%22.77亿
8.12%22.62亿
7.21%22.17亿
6.78%21.77亿
6.78%21.77亿
5.98%21.3亿
5.08%20.92亿
-普通股股本
3.31%22.9亿
4.36%22.72亿
4.36%22.72亿
6.87%22.77亿
8.12%22.62亿
7.21%22.17亿
6.78%21.77亿
6.78%21.77亿
5.98%21.3亿
5.08%20.92亿
留存收益
0.15%20.65亿
3.42%21.19亿
3.42%21.19亿
-4.82%20.59亿
-6.52%20.3亿
4.23%20.62亿
-5.14%20.49亿
-5.14%20.49亿
0.56%21.63亿
-0.15%21.71亿
减:库存股
-25.74%1.46亿
-18.69%1.23亿
-18.69%1.23亿
-3.67%1.34亿
26.01%1.79亿
26.70%1.96亿
-5.23%1.52亿
-5.23%1.52亿
11.83%1.39亿
109.11%1.42亿
不影响留存收益的损益
-6.33%-7,445.6万
-29.99%-6,961.9万
-29.99%-6,961.9万
-120.59%-7,304.5万
-8,022.47%-8,349.9万
-64.47%-7,002.5万
-599.29%-5,355.9万
-599.29%-5,355.9万
-291.79%-3,311.4万
-103.28%-102.8万
股东权益总额
3.05%41.35亿
4.41%41.98亿
4.41%41.98亿
0.18%41.29亿
-2.21%40.29亿
4.26%40.13亿
-0.26%40.21亿
-0.26%40.21亿
1.66%41.22亿
-0.21%41.2亿
非控制性权益
14.77%157.7万
14.60%152.3万
14.60%152.3万
15.47%147.8万
17.42%143.6万
15.85%137.4万
16.37%132.9万
16.37%132.9万
16.05%128万
15.16%122.3万
总权益
3.05%41.37亿
4.42%42亿
4.42%42亿
0.18%41.31亿
-2.21%40.3亿
4.26%40.14亿
-0.25%40.22亿
-0.25%40.22亿
1.66%41.23亿
-0.20%41.21亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31
资产
流动资产
现金及现金等价物和短期投资 8.74%10亿3.98%12.81亿3.98%12.81亿-19.44%11.25亿-64.44%10.03亿-46.03%9.2亿-27.28%12.32亿-27.28%12.32亿-14.50%13.97亿86.59%28.21亿
-现金和现金等价物 8.74%10亿3.98%12.81亿3.98%12.81亿-19.44%11.25亿-64.44%10.03亿-46.03%9.2亿-27.28%12.32亿-27.28%12.32亿-14.50%13.97亿86.59%28.21亿
应收款项 -7.98%7.59亿-8.29%7.54亿-8.29%7.54亿-6.50%7.34亿60.71%8.14亿98.97%8.25亿74.47%8.22亿74.47%8.22亿64.96%7.85亿7.99%5.07亿
-应收账款 -12.41%5.93亿-8.25%6.26亿-8.25%6.26亿-3.27%6.54亿56.19%7.35亿78.93%6.77亿59.97%6.83亿59.97%6.83亿57.32%6.76亿10.25%4.71亿
-应收税费 37.70%9,663.3万-10.34%6,111.3万-10.34%6,111.3万-70.46%1,411.9万-19.01%834.2万692.45%7,017.9万273.38%6,816.1万273.38%6,816.1万130.03%4,780.3万-48.12%1,030万
-其他应收款 -10.64%7,020.3万-6.67%6,645万-6.67%6,645万7.74%6,612.4万175.86%7,065.6万182.58%7,856.2万172.08%7,119.6万172.08%7,119.6万140.86%6,137.4万14.67%2,561.3万
预付费用 -55.55%195.6万58.03%414.2万58.03%414.2万33.28%380.9万63.14%425.3万162.84%440万-58.40%262.1万-58.40%262.1万-53.16%285.8万-55.35%260.7万
递延资产 20.66%4,346.2万12.33%4,457.7万12.33%4,457.7万8.69%4,227.9万28.89%3,792.2万33.87%3,602万46.56%3,968.5万46.56%3,968.5万54.47%3,889.8万26.69%2,942.1万
套期保值资产 -6.34%87.2万-40.03%212.7万-40.03%212.7万--81.5万-46.74%364.7万--93.1万--354.7万--354.7万------684.8万
持有待售资产 --------------21.2亿--20.51亿--------------------
其他流动资产 9.82%1.74亿9.20%1.92亿9.20%1.92亿-20.85%1.65亿83.73%1.7亿64.68%1.59亿101.75%1.76亿101.75%1.76亿128.73%2.09亿3.36%9,229.6万
流动资产合计 1.80%19.8亿0.09%22.77亿0.09%22.77亿72.32%41.92亿18.08%40.84亿-13.32%19.45亿-0.44%22.75亿-0.44%22.75亿8.98%24.33亿64.76%34.59亿
非流动资产
固定资产净额 -6.80%5.85亿-8.58%5.88亿-8.58%5.88亿-9.85%5.75亿34.28%5.98亿38.70%6.28亿45.11%6.43亿45.11%6.43亿43.26%6.38亿-6.26%4.45亿
-固定资产 3.17%13.53亿2.25%13.39亿2.25%13.39亿1.65%13.05亿22.37%13.1亿24.88%13.12亿27.00%13.09亿27.00%13.09亿25.57%12.83亿-2.39%10.7亿
-累计折旧 -12.33%-7.68亿-12.70%-7.51亿-12.70%-7.51亿-13.04%-7.29亿-13.88%-7.12亿-14.42%-6.84亿-13.35%-6.67亿-13.35%-6.67亿-11.90%-6.45亿-0.56%-6.25亿
投资和预付款 -5.21%1.67亿-12.31%1.65亿-12.31%1.65亿-17.14%1.65亿2.42%1.68亿5.76%1.76亿8.44%1.88亿8.44%1.88亿12.47%1.99亿10.34%1.64亿
-长期股权投资 -9.45%1.24亿-16.09%1.24亿-16.09%1.24亿-22.18%1.24亿-22.47%1.27亿-17.67%1.37亿-14.57%1.48亿-14.57%1.48亿-9.77%1.6亿10.34%1.64亿
-金融资产投资 9.67%4,282.5万1.71%4,054.1万1.71%4,054.1万3.31%4,061.5万--4,087.7万--3,904.8万--3,985.8万--3,985.8万--3,931.3万----
-其中:可供出售证券 9.67%4,282.5万1.71%4,054.1万1.71%4,054.1万3.31%4,061.5万--4,087.7万--3,904.8万--3,985.8万--3,985.8万--3,931.3万----
长期应收款 -35.16%9,638.6万-14.81%1.35亿-14.81%1.35亿-9.72%1.38亿112.94%1.4亿128.58%1.49亿149.08%1.59亿149.08%1.59亿140.86%1.53亿2.09%6,569.4万
长期预付费用 24.79%2,291.7万-1.74%2,006.3万-1.74%2,006.3万-12.15%1,903.1万96.72%1,946.3万73.41%1,836.4万215.97%2,041.8万215.97%2,041.8万198.21%2,166.2万24.64%989.4万
商誉及其他无形资产 -21.16%98.61亿-21.73%99.75亿-21.73%99.75亿-21.73%101.52亿69.19%103.78亿101.68%125.07亿101.64%127.43亿101.64%127.43亿101.20%129.7亿-6.35%61.34亿
-商誉 -12.95%75.03亿-13.56%74.88亿-13.56%74.88亿-13.95%75.28亿44.84%76.04亿64.90%86.19亿65.17%86.63亿65.17%86.63亿66.16%87.49亿1.06%52.5亿
-其他无形资产 -39.36%23.58亿-39.08%24.86亿-39.08%24.86亿-37.84%26.24亿213.80%27.73亿298.96%38.88亿279.54%40.81亿279.54%40.81亿257.40%42.22亿-34.78%8.84亿
非流动递延资产 -3.53%10.21亿1.35%9.98亿1.35%9.98亿15.19%10.88亿7.52%9.89亿15.86%10.59亿13.70%9.84亿13.70%9.84亿22.47%9.44亿15.11%9.2亿
其他非流动资产 -36.51%4,579.1万-36.51%4,859.8万-36.51%4,859.8万-7.51%6,279.1万228.44%6,701.1万213.64%7,212.2万250.55%7,654.6万250.55%7,654.6万249.20%6,789.1万3.42%2,040.3万
非流动资产合计 -19.23%117.99亿-19.48%119.28亿-19.48%119.28亿-18.64%122亿59.28%123.59亿86.50%146.09亿87.67%148.14亿87.67%148.14亿89.08%149.95亿-3.79%77.59亿
总资产 -16.76%137.79亿-16.87%142.06亿-16.87%142.06亿-5.94%163.93亿46.58%164.43亿64.27%165.54亿67.89%170.89亿67.89%170.89亿71.49%174.28亿10.37%112.18亿
负债
流动负债
短期借款与资本租赁负债 -52.95%1.11亿-72.76%1.12亿-72.76%1.12亿-78.50%1.27亿94.32%1.33亿242.57%2.36亿521.08%4.12亿521.08%4.12亿752.63%5.9亿-6.32%6,829.9万
-短期借款 -75.42%3,585万-88.83%3,585万-88.83%3,585万-90.75%4,585万358.50%4,585万1,358.50%1.46亿3,108.50%3.21亿3,108.50%3.21亿4,858.50%4.96亿0.00%1,000万
-短期资本租赁负债 -16.71%7,531.2万-16.38%7,644.6万-16.38%7,644.6万-13.89%8,096万49.00%8,686.8万53.33%9,041.8万62.16%9,142.5万62.16%9,142.5万58.86%9,401.5万-7.33%5,829.9万
应付款项 -29.90%2.2亿45.12%4.09亿45.12%4.09亿-9.83%3.45亿56.32%2.93亿90.20%3.14亿67.28%2.82亿67.28%2.82亿296.55%3.82亿131.50%1.88亿
-应付账款 -18.02%1.14亿-7.08%1.51亿-7.08%1.51亿-5.76%1.69亿50.22%1.44亿36.35%1.38亿42.76%1.63亿42.76%1.63亿106.10%1.8亿51.62%9,600.7万
-应付税费 -51.14%7,494.8万163.91%2.36亿163.91%2.36亿-23.89%1.51亿36.38%1.19亿161.36%1.53亿74.86%8,929.7万74.86%8,929.7万2,550.96%1.98亿439.79%8,754.9万
-其他应付款 44.08%3,143.5万-25.22%2,248.9万-25.22%2,248.9万473.29%2,440.5万643.89%2,952.5万366.30%2,181.8万737.92%3,007.3万737.92%3,007.3万148.08%425.7万170.74%396.9万
应计费用 -7.56%5.02亿-7.28%5.9亿-7.28%5.9亿-12.39%5.23亿96.05%5.61亿105.04%5.43亿95.01%6.36亿95.01%6.36亿91.23%5.97亿-3.67%2.86亿
现行拨备 17.09%694.2万38.17%817.3万38.17%817.3万9.21%513.4万122.72%672.4万247.33%592.9万54.88%591.5万54.88%591.5万49.14%470.1万4.46%301.9万
递延负债 -9.14%14.5亿-11.64%15.21亿-11.64%15.21亿-11.29%15.84亿64.61%15.35亿78.20%15.96亿90.84%17.22亿90.84%17.22亿90.57%17.85亿9.86%9.33亿
其他流动负债 64.70%2.09亿-1.21%1.59亿-1.21%1.59亿224.74%4.04亿2,475.98%4.3亿-29.93%1.27亿17,970.74%1.61亿17,970.74%1.61亿--1.24亿--1,670.2万
流动负债总额 -11.43%25亿-13.02%28亿-13.02%28亿-14.23%29.88亿98.01%29.59亿78.89%28.22亿119.28%32.2亿119.28%32.2亿145.71%34.84亿14.71%14.94亿
非流动负债
长期借款与租赁负债 -25.44%65.67亿-25.57%65.75亿-25.57%65.75亿-3.62%85.31亿61.86%87.11亿99.90%88.07亿100.39%88.34亿100.39%88.34亿100.54%88.51亿21.59%53.82亿
-长期借款 -25.73%63.53亿-25.75%63.57亿-25.75%63.57亿-3.03%83.06亿63.19%84.75亿103.27%85.55亿103.40%85.62亿103.40%85.62亿103.42%85.65亿23.31%51.93亿
-长期租赁负债 -15.53%2.13亿-19.66%2.18亿-19.66%2.18亿-21.34%2.25亿25.25%2.36亿28.02%2.53亿36.68%2.72亿36.68%2.72亿40.83%2.86亿-12.11%1.89亿
长期应付账款及其他应付款项 -31.39%1.08亿-23.37%1.55亿-23.37%1.55亿-17.29%1.64亿259.51%1.63亿228.58%1.57亿410.47%2.03亿410.47%2.03亿416.40%1.98亿20.98%4,533.2万
长期应计费用 -23.05%1,295万-13.29%1,539万-13.29%1,539万-50.67%1,559.6万1,381.83%1,801.9万3,161.43%1,682.9万3,052.58%1,774.9万3,052.58%1,774.9万4,423.18%3,161.7万60.00%121.6万
长期拨备 -1.69%2,356.4万-15.50%2,141.1万-15.50%2,141.1万-2.06%2,329.4万81.72%2,368.7万73.70%2,397万112.15%2,533.7万112.15%2,533.7万86.07%2,378.4万5.94%1,303.5万
员工福利 6.41%1.34亿0.75%1.27亿0.75%1.27亿14.97%1.29亿125.35%1.29亿136.11%1.26亿107.24%1.26亿107.24%1.26亿46.89%1.12亿-23.59%5,734.9万
递延负债 -49.19%2.98亿-51.53%3.11亿-51.53%3.11亿-31.80%4.12亿294.97%4.09亿357.80%5.87亿308.66%6.42亿308.66%6.42亿310.65%6.03亿-42.49%1.03亿
非流动负债总额 -26.50%71.43亿-26.83%72.06亿-26.83%72.06亿-5.56%92.74亿68.74%94.54亿109.01%97.18亿110.49%98.47亿110.49%98.47亿109.44%98.2亿18.40%56.02亿
负债总额 -23.10%96.42亿-23.43%100.06亿-23.43%100.06亿-7.83%122.62亿74.91%124.13亿101.38%125.4亿112.59%130.67亿112.59%130.67亿117.86%133.04亿17.60%70.97亿
所有者权益
股本 3.31%22.9亿4.36%22.72亿4.36%22.72亿6.87%22.77亿8.12%22.62亿7.21%22.17亿6.78%21.77亿6.78%21.77亿5.98%21.3亿5.08%20.92亿
-普通股股本 3.31%22.9亿4.36%22.72亿4.36%22.72亿6.87%22.77亿8.12%22.62亿7.21%22.17亿6.78%21.77亿6.78%21.77亿5.98%21.3亿5.08%20.92亿
留存收益 0.15%20.65亿3.42%21.19亿3.42%21.19亿-4.82%20.59亿-6.52%20.3亿4.23%20.62亿-5.14%20.49亿-5.14%20.49亿0.56%21.63亿-0.15%21.71亿
减:库存股 -25.74%1.46亿-18.69%1.23亿-18.69%1.23亿-3.67%1.34亿26.01%1.79亿26.70%1.96亿-5.23%1.52亿-5.23%1.52亿11.83%1.39亿109.11%1.42亿
不影响留存收益的损益 -6.33%-7,445.6万-29.99%-6,961.9万-29.99%-6,961.9万-120.59%-7,304.5万-8,022.47%-8,349.9万-64.47%-7,002.5万-599.29%-5,355.9万-599.29%-5,355.9万-291.79%-3,311.4万-103.28%-102.8万
股东权益总额 3.05%41.35亿4.41%41.98亿4.41%41.98亿0.18%41.29亿-2.21%40.29亿4.26%40.13亿-0.26%40.21亿-0.26%40.21亿1.66%41.22亿-0.21%41.2亿
非控制性权益 14.77%157.7万14.60%152.3万14.60%152.3万15.47%147.8万17.42%143.6万15.85%137.4万16.37%132.9万16.37%132.9万16.05%128万15.16%122.3万
总权益 3.05%41.37亿4.42%42亿4.42%42亿0.18%41.31亿-2.21%40.3亿4.26%40.14亿-0.25%40.22亿-0.25%40.22亿1.66%41.23亿-0.20%41.21亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------无保留意见------

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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